More Bonds of BP Capital Markets PLC

About the BP Capital Markets PLC-Bond (US05565QBZ00)

The BP Capital Markets PLC-Bond has a
maturity date of 5/6/2022 and offers a coupon of 3.2450%. The payment of the coupon will take place 2,0 times per biannual on the 06.11.. At the current price of 102.939 USD this equals a annual yield of 2.65%. The BP Capital Markets PLC-Bond was issued on the 5/7/2012 with a volume of 1.75 B. USD.